Return to Vendor (RTV) Claim Overview Vendor Agreement for return of sellable product (Accommodation/Consolidation)



Similar documents
SUPPLIER PAYMENT GUIDE

Implementing a Purchase Order System

How To Pay Your Bills In Australia And New Zealand

Workflow Process: Receiving Items

Welcome to the topic on purchasing items.

Understand the impact the POA & ASN has on the Perfect PO Kevin Wilson Q Data USA SESSION CODE: SC163

Nordstrom Customs Compliance, select option 6 For help with US Customs entry and release

9.0 Electronic Data Interchange (EDI) Requirements

Volume EASTMAN KODAK COMPANY. Worldwide Purchasing. Supplier Manual

A Guide to Accounts Payable Supplier Processes

Orange County Department of Education Vendor Portal Vendor Guide

VICS EDI RCHITECTURE. Voluntary Interindustry CommerceStandard EDI

Accounts Payable and Inventory Management

Procure-to-Pay Best Practices

VENDOR RELATIONS & ACCOUNTS PAYABLE

VENDOR COMPLIANCE MANUAL

CHAPTER 3 ELECTRONIC DATA INTERCHANGE (EDI) TABLE OF CONTENTS HOW TO GET STARTED 3-2 REQUIRED EDI DOCUMENTS 3-2 VENDOR ACCURACY AUDIT PROGRAM 3-10

Drop Ship Fulfillment

Company: Name: GENERAL FUNCTIONS: How important are they to your business?

MASTERCARD CREDIT CARD PROGRAM

VENDOR RELATIONS & ACCOUNTS PAYABLE

PURCHASING CARD - POLICY AND PROCEDURES SLIPPERY ROCK UNIVERSITY OF PENNSYLVANIA PA STATE SYSTEM OF HIGHER EDUCATION

Supplier Financial Relationship Policy & Guidelines

Dynamics GP 50 More Tips in 50 Minutes

Transportation Requirements

VENDOR EDI MANUAL SPORTSMAN S GUIDE (SG)

Pay.It. Run.It! Retail Software Pay.It! 1

Accounts Receivable. I. Overview Definitions and Abbreviations. Equipment and Supplies Required

CREATING AN ASN: What is an Advance Ship Notice (ASN)? Creating an ASN:

Invoice Matching User Guide

INSTRUCTIONS FOR USING CSCN - AP MODULE

1.0 Purpose. 2.0 Applicability. 3.0 References. 4.0 Attachments. 5.0 General. 5.1 Abbreviations. 5.2 Definitions. 5.3 Responsibilities. 6.

How To Improve Your Business Software

Solar Eclipse Accounts Payable. Release 8.7.2

Generic Business Process (1) Expenditure Cycle & Revenue Cycle

Audit Program for Accounts Payable and Purchases

YOU WANT TO. Copyright 2014 ADP, LLC. Proprietary and Confidential.

Accounts Payable 6.4 User Manual

After a valid PO (EDI 850) is received from Party City, follow these procedures to ensure your invoices are paid on a timely basis:

How Your Accounts Payable Strategy Can Boost ROI ADP Procure-To-Pay Jeff White - Director of Implementations Session #1050

cardholder USER GUIDE Purchasing

June Dear Vendor:

Oak Street The Complete Solution

Herscher Community Unit School District #2. PURCHASE ORDER POLICIES and PROCEDURES

Xavier University. Policy and Procedure Purchasing Card Program. Purchasing Card Program Policy and Procedure

B Resource Guide: Implementing Financial Controls

Feature List. Freight.Ware for Truckload Carriers. Included Features: 1 P a g e

Import Vendor Compliance Standards. B/E Aerospace Leighton Buzzard Operations. USA Version

Burlington Stores, Inc. Direct to Consumer Program Manual

Frequently Asked Questions about EDI and Item Setup

Beverage Distribution Solution

Diaspark s Jewelry Capability Statement

Apparel Solutions GCS SOFTWARE, LLC. GCS SOFTWARE, LLC.

Release Notes: BUSINESS PRO GENERAL LEDGER VERSION 3.0 BUSINESS PRO ACCOUNTS PAYABLE VERSION 4.0

SUPPLIER PAYMENT GUIDE EUROPE

VENDOR RELATIONS & ACCOUNTS PAYABLE

SUPPLIER S GUIDE TO PAYMENTS

GXS Active. Orders. Optimizing the Procure-to-Pay Process. Order Planning and Execution. Order Lifecycle Management.

Improve Business Efficiency by Automating Intercompany Transactions

Feature List. Freight.Ware for Brokers. Included Features: 1 P a g e NE 109 th Court Suite H Vancouver, Wa * (360) *

Wells Fargo Bank WellsOne Commercial Card Program REED COLLEGE. Policy and Procedures Manual Date: 7/21/09

Reporting Enhancements

Supply Chain Merchandise Logistics E-Commerce Operational Processes & Standards

LIVINGSTON COUNTY CREDIT CARD PROCEDURES

Vendor Request Form CGI Group Inc. All rights reserved

Routing Guide. Ship-Right Solutions. Version 1. Updated: January 20, Ship-Right Solutions. 165 Pleasant Ave South Portland, ME 04106

Hayneedle Vendor Portal Training Manual Drop Ship Vendors

JD Edwards EnterpriseOne Warehouse Management System September 2015

Supplier Relationship Management Analysis PURCHASING FINANCIAL SUPPLIER BUYER PERFORMANCE ANALYSIS PERFORMANCE PERFORMANCE

MICR Check Printing and ACH Payment Software

TOWN OF BANFF POLICY. Corporate Credit Card Policy ==========================================================================

Reduce Costly Inventory Errors And Lost Sales Using Audit-Driven Vendor Classification

Media AP Approval and Reconciliation Users Guide

Interfacing to Accounts Payable

JD Edwards EnterpriseOne Order Fulfillment

Chapter 24 Stock Handling and Inventory Control. Section 24.1 The Stock Handling Process Section 24.2 Inventory Control

Document Information, Statuses & Exceptions in Ariba

Vendor Partnership Manual. Section 8 Distribution & Domestic Transportation

Vendor Manual & Routing Guide [Effective: May 1, 2011]

Electronic Data Interchange EDI. Facilitators:

THE HOME DEPOT Direct Fulfillment DC Supplier Handbook

Electronic Commerce. EDI with Debenhams

Ingram Used Textbook Business Guide

Release Notes Build 391

Supplier Information Kit

How To Use Payables Automation

GXS Active. Orders. Optimising the Procure-to-Pay Process. Order Planning and Execution. Order Lifecycle Management.

ECommerce EDI Toolkit. Version September 2008

Application Programming Interface (API)

Burlington Stores, Inc. Direct to Consumer Program Manual

Accounting information systems and business process : part 1

ACCOUNTS PAYABLE POLICIES AND PROCEDURES

Module 6 Business Process and ADempeire

Salient for Retail Link

To indicate the beginning of an invoice transaction set and to transmit identifying numbers and dates. BIG^ ^12345^ ^ ^

ACCOUNT SET-UP 1. Go to www paypal. com/th. and click Sign Up f or for a B usiness Business a ccount account.

Order Processing and Logistics Guidelines

Lowe s Vendor Compliance Policy Lowe s Vendor Compliance Policy

INVENTORY ACCOUNTING

Orchard Supplier Operation Guidelines Domestic Shipping & Transportation Requirements

Transcription:

Return to Vendor (RTV) Claim Overview Vendor Agreement for return of sellable product (Accommodation/Consolidation) PART I- Life Cycle of an RTV RTV is a return that occurs outside the activity of a Purchase Order. The merchandise being returned is authorized by the vendor based on the Return Authorization process. There are many components within the RTV process and the following information highlights each component. Return Authorization (RA) - There are various reasons for returning merchandise and the RA number authorizes Nordstrom to do so. Nordstrom s buying office works with their respective Sales Rep to review and negotiate the details of a merchandise return. The Sales Rep provides the buyer with an RA number. The buyer communicates the RA number and RA details to the stores which initiates the RTV process. RTV (Store) Transfer- Once the stores are notified of the RA, they create the RTV transfer. When creating the RTV transfer, the store(s) scans the merchandise out of their inventory and sends it to their regional Distribution Center (DC). When scanning merchandise out of inventory, the cost of each item systemically pulls from our current Master Item file. The merchandise is sent to the DC and the RTV transfer paperwork is enclosed with the merchandise. (See Example B) RTV (DC) Packing Slip-The RTV packing slip is generated at the time the DC executes the return. When generating the RTV, the DC consolidates the individual store RTV transfers, systemically creates the RTV packing slip and ships the merchandise back to the vendor. The system generates the RTV number and all corresponding detail. The DC encloses a copy of the RTV packing slip on the lead carton and identifies it with a sticker saying Important - Pack Slip enclosed. The RTV details interface to Accounts Payable (AP), deduct from the vendor s account and posts the RTV detail on the supplier portal. (See Example C) RTV Summary Report- This is a weekly report that is sent to vendors and includes high level recap of all RTVs shipped the prior week. This is a cumulative report that covers a 90 day timeframe and provides vendors visibility into what has been shipped over a 3-month period to cover the life-span of each RA number. Details regarding the specific returns are included in the corresponding paperwork enclosed with the returns and may also be accessed by viewing the chargeback on the supplier portal: https://portal.nordstrom.com/pwe/welcome/. (See Example D) 1

PART II Vendor Reconciliation The physical reconciliation of RTVs is a critical piece of the overall RTV process. It s important to track and record what is physically received per each RTV (vs. per RA). The RA is what authorizes the return; however multiples RTVs can be shipped against one RA. The RA is the point of reference that should be used when tying off multiple returns. With regard to multiple returns under one RA, please note: Nordstrom has 7 DCs (89,299,399,499,599/808,699,799) that return merchandise Each DC can return merchandise under one RA, (therefore resulting in multiple shipments) Within each DC, multiple RTVs can be generated under one RA, (therefore resulting in multiple shipments by same DC) Given the potential for multiple shipments against one RA, it is important for vendors to physically reconcile the merchandise return at the RTV level and compare the items received to the items on the RTV packing slip (which is enclosed in the lead carton of the return). RA- RA number is the starting point for all merchandise returns and should be communicated to Vendors respective AR/Credit teams. Nordstrom communicates the RA to vendors in several ways: RTV Merchandise Packing Slip (enclosed with merchandise return) RTV weekly summaries (emailed to vendor contact on file) Vendor s payment remit (referenced on email remit, paper remittance advice and ACH 820) Supplier portal (displayed when drilling into the Chargeback details) Merchandise Return Nordstrom DCs generate RTVs on a daily basis and the merchandise is shipped to the return address on file. Each return includes corresponding paperwork which should be utilized when reconciling the return. Below are the types of documents/paperwork sent with the merchandise: Consolidated Claim Packaging- (See Example A) 1. The Claims Department receives transfers from the store packed and ready to be shipped to the supplier 2. On the outside of the carton or transfer there is a pouch. This pouch contains the Nordstrom Request for RTV Form and a Nordstrom internal Bright Green Form Nordstrom Merchandise Packing Slip (Store Transfer)- (See Example B) 1. This provides store detail (VPN, UPC, etc.) of what was scanned out of store inventory and transferred to the DC 2. The transfer number is located at the top; center of the transfer document and is referenced on the RTV packing slip under the Transfer column Nordstrom Merchandise Packing Slip (DC RTV) - (See Example C) 1. This provides the RTV#, RA#, unit detail and store transfer information 2. There is one packing slip per shipment (RTV) and this is packed into the lead carton and identified with a sticker saying Important - Pack Slip enclosed 3. The warehouse should utilize this as baseline information for processing the merchandise return. NOTE: when processing the return please reconcile per RTV and record # of cartons received, # of units received by per style 4. This information may also help the AR/Credit team when tying off the Credit Memos to the RTV(s) and the RTV(s) to the RA. 2

PART III RTV INQUIRY PROCESS For questions on RTVs (after the initial reconciliation is completed) please refer to the grid below for assistance with the category you are inquiring about. Copy of RTV Unit discrepancy (discrepancy in units deducted on RTV vs. units received back) Cost discrepancy (discrepancy in cost deducted on RTV vs. PO/invoice cost) Proof of Delivery (POD) NOTE: RTV Inquiry/Adjustment template can be located under the <Documentation> link within the AP Application of the supplier portal at https://portal.nordstrom.com/pwe/welcome/ 3

PART IV- EXAMPLES Example A Consolidated Claim Packaging The DC Claims Department receives transfers from the store packed and ready to be shipped to the supplier. On the outside of the carton or transfer there is a pouch. This pouch notes the following information: The Bright Green Form 4

PART IV- EXAMPLES cont d Example B - (Store Transfer) Merchandise Packing Slip The Store transfer document lists the contents of the case. If multiple cases are received, the supplier can match the transfer number, found at the top of this document to the transfer number found on the bright green form (see Example A). The units listed on this RTV Transfer packing slip should match the physical contents of the carton. Store Transfers are then added to a DC Claim. The DC Claim document contains all of the transfers therefore the supplier can match the transfers shown above to the transfers shown on the DC Claim (see Example C). 5

PART IV- EXAMPLES cont d EXAMPLE C -Nordstrom Merchandise Packing Slip (DC RTV) 6

PART IV- EXAMPLES cont d EXAMPLE D-Weekly RTV Summary is an email notice which includes a cumulative report that covers a 90 day timeframe and provides vendors visibility into what has been shipped over a 3-month period to cover the life-span of each RA number. The cumulative report provides high level information regarding the shipment such as RA Number, Ship to City, Ship Date, etc. The RTV Summary is an excel report that is sent as weekly notification. This is a 90-day cumulative recap of all RTVs shipped out by Nordstrom DCs and notifies vendors of merchandise being returned. This weekly report includes the RA number associated to each RTV, which is critical information when reconciling multiple RTVs within the same RA. NOTE: If the RA field is blank, the RTV listed is associated to a Purchase Order violation therefore no RA is required. 7